Currently, my previous prediction of a false breakdown has been validated. With the help of Iran's negative news, a double bottom was successfully formed. Now it depends on whether the market can twist and turn to reach the predicted 2400.



For several weeks, my main mid-to-long-term argument has been to attempt long positions below 1900 at support levels, using 50% of funds for phased rebounds. Even if caught in a trap, it can serve as a dollar-cost averaging entry for the next bull market. The risk-reward ratio is already very high, and it can still double. The remaining 50% of funds are kept in reserve for potential black swan events.

In the short term, I also analyzed changes in resistance and support levels, and confirmed that the support around 1900 would inevitably be broken. Real-time confirmation showed that the strong support near 1900 gradually weakened and turned into weak support, with a breakdown structure. This ultimately led to today’s false breakout and subsequent pullback.

Sometimes I don’t understand why I get criticized. The ideas are free, the entry points are free, and the plan is complete. Or is it that too many retail investors are involved? They love to go all-in daily and blow up their accounts, confusing their minds. Do they fail to understand the long-term perspective?
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100UsdBravelyVentureIntoThevip
#晒出我的持仓收益#
The market has been fluctuating back to my opening price. The long-term target is 2400, but I still consider the possibility of a false breakout caused by a dip below 1900 followed by a rebound to 2400 as a shakeout. I hope your entry points are better than mine, so I don't recommend chasing long positions above 1973, and I suggest keeping the order at 1892, or freely entering long positions below 1900, as Ethereum below 1900 is already very cost-effective for long-term investment.
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FishFishFish555vip
· 3h ago
Ignore the haters, just do your own thing. Someone will always be paying attention to your updates.
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